27 Aug
|
SNVA GROUP
|
Noida
: Group Chief Financial Officer (Group CFO)
Location: Noida, Uttar Pradesh
Industry: Technology, Travel and Education
Employment Type: Full-time
Reporting To: Chairman & Managing Director / Board of Directors
Role Overview
We are seeking an experienced and strategic Group Chief Financial Officer to lead the finance function across a diversified group operating in the Technology, Travel and Education sectors.
The Group CFO will be responsible for financial strategy, listed-company compliance, financial reporting, treasury, taxation, risk management, investor relations, fundraising, acquisitions and corporate governance.
The successful candidate must have worked with a listed company for at least five years and possess strong knowledge of quarterly financial reporting and regulatory compliance. Prior experience in managing an IPO will be a significant advantage.
Key Responsibilities
Financial Strategy and Leadership
- Develop and execute the Group’s financial strategy in alignment with its growth objectives.
- Serve as a strategic adviser to the Chairman, Board and senior management.
- Lead annual budgeting, forecasting and long-term financial planning across all group companies.
- Establish financial performance indicators and provide actionable insights to business leadership.
- Evaluate new investments, business expansions and strategic initiatives.
Listed-Company Compliance
- Manage all quarterly and annual financial reporting requirements of a listed company.
- Ensure timely compliance with SEBI Regulations, Listing Obligations and Disclosure Requirements (LODR) and stock-exchange requirements.
- Coordinate quarterly limited reviews and annual statutory audits.
- Prepare financial and compliance documents for the Board and Audit Committee.
- Ensure accurate and timely submission of financial results, shareholding information, related-party transaction disclosures and other statutory filings.
- Work closely with the Company Secretary, auditors, legal advisers and stock exchanges.
- Maintain strong internal controls and ensure adherence to corporate-governance requirements.
Financial Reporting and Controls
- Oversee standalone and consolidated financial statements under applicable Ind AS and accounting standards.
- Ensure timely monthly, quarterly and annual closure of accounts.
- Develop robust accounting policies, standard operating procedures and financial controls across the Group.
- Strengthen management information systems and financial dashboards.
- Ensure consistency and accuracy of reporting across subsidiaries and business verticals.
Treasury, Fundraising and Capital Management
- Manage the Group’s cash flow,
working capital, banking relationships and treasury operations.
- Develop optimal debt and equity funding strategies.
- Lead discussions with banks, financial institutions, private-equity investors and other capital providers.
- Manage foreign-exchange exposure and cross-border financial transactions.
- Optimize the Group’s capital structure and cost of funds.
IPO and Capital-Market Responsibilities
- Support or lead IPO readiness, including financial restructuring, due diligence and regulatory documentation.
- Coordinate with merchant bankers, legal advisers, auditors, registrars and other intermediaries.
- Assist with preparation and review of the DRHP/RHP and responses to regulatory observations.
- Establish systems and controls required for operating as a publicly listed company.
- Manage post-listing investor communication, financial disclosures and analyst interactions.
Prior experience in successfully managing or participating in an IPO will be an added advantage.
Mergers, Acquisitions and Investments
- Lead financial evaluation, valuation, due diligence and structuring of acquisitions and joint ventures.
- Assess target-company financials, liabilities, tax exposure and integration requirements.
- Develop funding structures involving cash, debt, share swaps, earn-outs or vendor financing.
- Monitor the financial performance of acquired businesses and investments.
- Lead post-acquisition financial integration and synergy tracking.
Taxation, Audit and Risk Management
- Oversee direct tax, indirect tax, GST, transfer pricing and international tax matters.
- Manage statutory, internal, tax and regulatory audits.
- Identify financial, operational and regulatory risks and implement mitigation measures.
- Ensure adequate insurance, fraud-prevention and enterprise-risk-management systems.
- Maintain strong relationships with auditors, tax advisers and regulatory authorities.
Business-Specific Financial Oversight
- Understand the financial and operational dynamics of Technology, Travel and Education businesses.
- Monitor business-specific metrics including customer acquisition cost, revenue recognition, deferred revenue, refunds, payment cycles and profitability.
- Oversee multi-currency transactions, international collections,
supplier settlements and foreign subsidiaries.
- Ensure appropriate revenue-recognition practices for online education, travel bookings, technology services and subscription businesses.
- Support business heads in improving margins, cash conversion and return on capital.
Team Leadership
- Lead and develop finance, accounts, taxation, treasury, audit and financial-planning teams.
- Build a high-performance finance organization with clear accountability and succession planning.
- Implement technology-driven finance systems, automation and reporting tools.
- Promote a culture of integrity, transparency and regulatory discipline.
Mandatory Qualifications and Experience
- Qualified Chartered Accountant (CA).
- Minimum 15 years of relevant skilled experience, including senior finance-leadership responsibility.
- At least five years of experience working with a listed company.
- Strong working knowledge of quarterly and annual listed-company compliances.
- Excellent understanding of SEBI LODR Regulations, stock-exchange filings, Ind AS and corporate-governance requirements.
- Proven experience in consolidated financial reporting, audit management, taxation, treasury and internal controls.
- Experience managing multiple subsidiaries or a diversified group structure.
- Strong communication, leadership, analytical and stakeholder-management skills.
Preferred Experience
- Direct experience with an IPO, DRHP/RHP preparation or listing process.
- Experience interacting with merchant bankers, institutional investors and market analysts.
- Experience in mergers, acquisitions, fundraising or private-equity transactions.
- Exposure to Technology, Travel, Education, FinTech, e-commerce or other digital businesses.
- Experience managing international subsidiaries and cross-border transactions.
- Additional qualifications such as CMA, CS, CFA or MBA will be advantageous.
Ideal Candidate Profile The ideal candidate will be a commercially oriented finance leader who combines strong regulatory knowledge with strategic business judgment. The candidate should be capable of managing the complexities of a listed, diversified and rapidly growing group while maintaining the highest standards of governance, financial discipline and transparency.
Application
Interested candidates may submit their updated résumé along with the following information:
- Current position and organization
- Total professional experience
- Listed-company experience
- Experience handling quarterly compliances
- IPO or capital-market experience
- Current and expected compensation
- Notice period
- Current location
📌 Group Chief Financial Officer (Noida)
🏢 SNVA GROUP
📍 Noida